Document from CIS Legislation database © 2012-2026 CIS Legislation Company

RESOLUTION OF BOARD OF NATIONAL BANK OF THE REPUBLIC OF KAZAKHSTAN

of January 31, 2019 No. 19

About introduction of amendments to the resolution of Board of National Bank of the Republic of Kazakhstan of September 13, 2017 No. 170 "About establishment of normative values and techniques of calculations of prudential standard rates and other regulations, obligatory to observance, and limits of the size of the capital of bank for certain date and Rules of calculation and limits of open foreign exchange position"

For the purpose of enhancement of regulatory legal acts of the Republic of Kazakhstan the Board of National Bank of the Republic of Kazakhstan DECIDES:

1. Bring in the resolution of Board of National Bank of the Republic of Kazakhstan of September 13, 2017 No. 170 "About establishment of normative values and techniques of calculations of prudential standard rates and other regulations, obligatory to observance, and limits of the size of the capital of bank for certain date and Rules of calculation and limits of open foreign exchange position" (it is registered in the Register of state registration of regulatory legal acts at No. 15886, it is published on October 25, 2017 in Reference control bank of regulatory legal acts of the Republic of Kazakhstan) the following changes:

in Normative values and techniques of calculations of prudential standard rates and other regulations, obligatory to observance, and the limits of the size of the capital of bank for certain date approved by the specified resolution:

state Item 71 in the following edition:

"71. Standard rates of liquidity, irrespective of calculated values of the liquidity rates determined on average monthly basis are considered outstanding in the presence at bank during the accounting period of overdue obligations to creditors and investors.";

state Item 77 in the following edition:

"77. Cash outflow is calculated as the amount of cash outflows during the calendar month following settlement date of coverage ratio of liquidity using the coefficients of outflow established in the Table of cash outflows and inflows of bank according to appendix 14 to Standard rates according to the following obligations of bank:

paid document

Full text is available with an active Subscribtion after logging in.

Disclaimer! This text was translated by AI translator and is not a valid juridical document. No warranty. No claim. More info

Search in text CTRL-F

Demo Access

If you are guest on our site, you will work in Demo mode. In Demo mode you can see only first page of each document.


Full Access

With full access you can

  • see full text
  • see original text of document in Russian
  • download attachment (if exist)
  • see History and statistics

Get Full Access Now

Effectively work with search system

Database include more 65000 documents. You can find needed documents using search system.
For effective work you can mix any on documents parameters: country, documents type, date range, teams or tags.
More about search system

Get help

If you cannot find the required document, or you do not know where to begin, go to Help section.

In this section, we’ve tried to describe in detail the features and capabilities of the system, as well as the most effective techniques for working with the database.

You also may open the section Frequently asked questions.
This section provides answers to questions set by users.

Search engine created by CIS Legislation Company